for a Financial Accountant to join their team. Daily Log into Std Bank and Send Bank statements to appropriate Inventory Journals Process the Cashbook (Std Bank Current Account) Reconcile Cashbook Update Selling Prices Weekly Sales Report Once a month General Loan Account Recons Depreciation Journal Interest Journals Recon whom we have 30 day accounts Break Down Fleet account for processing Break Down Std Bank CC for processing sheet Recon Salary Account Submit UIF SARS: Calculate VAT payable Recon VAT Control account Submit VAT Return
Answer customer inquiries regarding transactions, accounts, and other related services. Resolve customer Work closely with other cash desk clerks and the finance team to ensure smooth operations. Provide support diploma or equivalent; additional education in finance, accounting, or related field is a plus. Previous experience
operational issues. Internal audit facilitation and accountability of findings Monitor DOI and Ethics Committee
operational issues. Internal audit facilitation and accountability of findings Monitor DOI and Ethics Committee